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中集环科:关于使用暂时闲置募集资金进行现金管理的公告

Core Viewpoint - The company announced the approval of a proposal to use temporarily idle raised funds for cash management, allowing for investment in high-security and liquid financial products, subject to shareholder approval [1] Group 1: Company Actions - The company will hold its second board meeting and second supervisory board meeting on August 21, 2025, to discuss the cash management proposal [1] - The approved amount for cash management is up to RMB 600 million, which includes over-raised funds [1] - The funds can be used for a period of 12 months after the shareholder meeting approval and can be rolled over [1] Group 2: Financial Management Strategy - The cash management strategy aims to ensure that normal production and investment plans are not affected [1] - The focus is on purchasing investment products that have high safety and good liquidity [1]